Inseego Corp. (INSG) Actionnariat — Transactions d'Initiés et Politiques
Inseego Corp. (INSG) — Prix $4.11 — Technology — Communication Equipment — NASDAQ
Données de Financial Modeling Prep · mis à jour le 16 septembre 2026 · cours différés de 15 min
Derniers résultats publiés: 5 août 2026
Actionnariat et activité des initiés pour Inseego Corp. (INSG): transactions des initiés, déclarations de trading du Sénat et de la Chambre américaine et actions en circulation. Suivez comment dirigeants et politiciens négocient le titre.
Prix
Prix $4.11
Capitalisation $67M
Bourse NASDAQ
Pays US
Transactions d'Initiés Récentes Date Initié Type Actions Valeur 2026-09-11 Mulhern George A-Award 19,654 2026-09-11 Miller Brian A-Award 19,654 2026-09-11 Tavistock Holdings, Inc. A-Award 19,654 2026-07-15 Miller Brian A-Award 1,431 2026-07-15 Sarvikas Juho F-InKind 6,749 $53K 2026-07-15 Mulhern George A-Award 2,036 2026-07-15 McClaskey James Paul F-InKind 465 $4K 2026-07-15 Gatoff Steven F-InKind 3,872 $30K 2026-04-15 Sarvikas Juho F-InKind 3,686 $52K 2026-04-15 Sarvikas Juho F-InKind 4,159 $59K
Bilan (10 ans) Année 2016 2017 2018 2019 2020 2021 2022 2023 2024 2025 Trésorerie $9.9M $21.2M $31.0M $12.1M $40.0M $49.8M $7.1M $7.5M $39.6M $24.9M Placements à Court Terme 0 0 0 0 $1.5M 0 0 0 0 0 Créances $22.2M $15.7M $20.6M $19.7M $29.9M $35.8M $30.9M $26.4M $17.3M $29.2M Stocks $31.1M $20.4M $26.4M $25.3M $34.0M $37.4M $38.0M $22.9M $13.6M $7.7M Actifs Courants $68.4M $66.4M $84.4M $64.1M $114.1M $127.6M $78.4M $58.2M $72.9M $64.1M Immobilisations Corporelles $8.4M $7.0M $6.7M $18.8M $28.9M $15.9M $16.9M $13.3M $4.0M $4.5M Goodwill $34.4M $37.7M $32.9M $33.7M $32.5M $20.3M $21.9M $21.9M $3.9M $3.9M Actifs Incorporels $40.3M $38.7M $32.0M $44.4M $51.5M $47.0M $41.4M $27.1M $18.7M $20.7M Actifs Totaux $158.7M $158.2M $162.3M $161.4M $227.4M $354.6M $159.9M $121.8M $100.0M $93.8M Dettes Fournisseurs $31.2M $29.3M $39.2M $26.5M $52.3M $48.6M $29.0M $24.8M $18.4M $23.6M Dette à Court Terme $3.2M $3.1M $1.4M $187000 $160000 $3.7M 0 $4.1M $14.9M $968000 Passifs Courants $62.4M $60.0M $53.7M $44.5M $75.7M $74.8M $57.0M $55.9M $63.5M $48.4M Dette à Long Terme $90.9M $128.8M $138.1M $147.9M $165.1M $157.9M $166.3M $159.9M $41.8M $44.5M Passifs Totaux $176.4M $203.8M $198.8M $198.7M $255.3M $379.5M $230.1M $223.9M $112.9M $97.9M Réserves -$524.0M -$569.8M -$577.8M -$618.3M -$732.4M -$787.0M -$857.8M -$906.9M -$905.6M -$908.4M Capitaux Propres -$17.8M -$45.6M -$36.4M -$37.2M -$27.8M -$24.9M -$70.1M -$102.1M -$12.9M -$4.0M Dette Totale $94.1M $131.9M $139.5M $149.2M $175.2M $168.7M $173.9M $170.7M $60.7M $48.4M Dette Nette $84.3M $110.7M $108.5M $137.1M $133.6M $118.9M $166.8M $163.2M $21.1M $23.5M Fonds de Roulement $6.1M $6.5M $30.7M $19.6M $38.4M $52.8M $21.4M $2.3M $9.4M $15.6M
Santé financière
Dette / Capitaux propres -2.05
Ratio de liquidité 1.07
Rentabilité
Rentabilité des capitaux propres 65.39%
Rentabilité du capital investi -19.30%
Rentabilité des actifs -12.25%
Marge brute 35.23%
Marge opérationnelle -4.03%
Marge nette -6.41%